Job Description
We are seeking a Liquidity Risk Analyst to join our team, located in Luxembourg Kirchberg.
The successful candidate will report to the Head of Unit of the Financial & Strategic Risks Unit and contribute to process optimization projects, including redesign, control framework updates, and manual development.
Duties:
* Conduct comprehensive testing of automated checks in Python systems to ensure accuracy and alignment with process improvement goals.
* Support digitalization efforts related to monthly liquidity KRI and automate more frequent risk computations (weekly/daily) to meet front office and regulatory needs.
Requirements
To be considered for this role, candidates should possess:
• A University degree in Finance, Mathematics, Economics, or Business Administration
• A minimum of three years of professional experience in finance, financial administration, and risk management
• Excellent English language skills, both oral and written, with knowledge of other EU languages an advantage
Candidate qualities:
• Ability to work under tight deadlines, react swiftly, and maintain high-quality service standards
• Strong organizational skills, prioritization, and problem-solving abilities
• Excellent interpersonal skills for internal and external communication